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About Standard Chartered We are a leading international bank focused on helping people and companies prosper across Asia, Africa and the Middle East.
To us, good performance is about much more than turning a profit. It's about showing how you embody our valued behaviours - do the right thing, better together and never settle - as well as our brand promise, Here for good.
We're committed to promoting equality in the workplace and creating an inclusive and flexible culture - one where everyone can realise their full potential and make a positive contribution to our organisation. This in turn helps us to provide better support to our broad client base.
The Role Responsibilities
Subject-Matter-Expert with regards to FRTB models used in market risk
Perform independent validation of FRTB models and manage all aspects of stakeholder engagement and model validation governance
Documentation of validation findings, issues and agree resolution plans
Present validation findings to relevant model governance committees
Engage senior stakeholders effectively and maintain productive working relationships and resolve non-productive conflicts
Support Head of GMV in addressing issues/questions raised by Senior Management, auditors and regulators
Our Ideal Candidate
Extensiv e experience in developing or validating quantitative models (at least 8 years) in traded market risk (VaR, ES), with significant exposure to and familiarity with FRTB models.
Strong analytical and quantitative analysis experience
Postgraduate degree (or equivalent) in maths, statistics, finance, hard sciences or quantitative analysis
Project management skill (advanced level)
Self-motivated person with a high level of drive, dedication and desire to excel consistently
Focused and organised, with the ability to prioritise and deliver effectively
Apply now to join the Bank for those with big career ambitions.
To view information on our benefits including our flexible working please visit our career pages .